净值时间:
 
 
查询
净值日期 单位净值 累计净值 资产净值
2025-09-22 0.6876 0.6876
2025-09-19 0.6960 0.6960
2025-09-18 0.6951 0.6951
2025-09-17 0.7045 0.7045
2025-09-16 0.7073 0.7073
2025-09-15 0.7092 0.7092
2025-09-12 0.7116 0.7116
2025-09-11 0.7201 0.7201
2025-09-10 0.7162 0.7162
2025-09-09 0.7179 0.7179
2025-09-08 0.7165 0.7165
2025-09-05 0.7071 0.7071
2025-09-04 0.7024 0.7024
2025-09-03 0.7034 0.7034
2025-09-02 0.7125 0.7125
2025-09-01 0.7149 0.7149
2025-08-29 0.7160 0.7160
2025-08-28 0.6995 0.6995
2025-08-27 0.7027 0.7027
2025-08-26 0.7204 0.7204